Description: Mastering Attribution in Finance is a comprehensive guide to how attribution is used in equity and fixed income markets. As with all Mastering titles, this book is written by an expert in the field. The book: Presents a structure overview of attribution in finance Provides a complete mathematical toolkit, including all the necessary formulae Covers all the key models, such as The Campisi model, Duration attribution, the Tim Lord model, key rate attribution, top-down attribution, Karnosky-Singer attribution model, Parametric and non-parametric yield curve models, Brinson attribution Includes tricks and techniques for trading specific types of fixed income security
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Location: Gloucester
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EAN: 9781292114026
UPC: 9781292114026
ISBN: 9781292114026
MPN: N/A
Book Title: Mastering Attribution in Finance: A practitioner's
Number of Pages: 312 Pages
Publication Name: Mastering Attribution in Finance : A Practitioner's Guide to Risk-Based Analysis of Investment Returns
Language: English
Publisher: Pearson Business
Publication Year: 2015
Subject: International / Economics, Investments & Securities / Portfolio Management, Finance / General, Investments & Securities / General
Item Height: 0.8 in
Type: Textbook
Item Weight: 23.2 Oz
Author: Andrew Colin
Item Length: 9.4 in
Subject Area: Business & Economics
Series: Financial Times Ser.
Item Width: 6.6 in
Format: Trade Paperback